Blackstone Inc. - COM (BX)

Historical Portfolio Holders from Q1 2016 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
496M
Holdings value Q2 2024
$61.4B
Value change Q2 2024
+$1B
Grand Portfolio weight change Q2 2024
+0.002%
Number of holders
1819
Number of buys Q2 2024
408
Number of sells Q2 2024
-302
Average buys Q2 2024 %
+0.005%
Average sells Q2 2024 %
-0.013%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 28.4M $4.35B -$53.1M $153.13 771
2024 Q2 496M $61.4B +$1B $123.80 1,828
2024 Q1 487M $64B -$1.57B $131.37 1,817
2023 Q4 500M $65.4B +$1.31B $130.92 1,784
2023 Q3 490M $52.5B +$3.83B $107.14 1,642
2023 Q2 455M $42.3B -$173M $92.97 1,557
2023 Q1 458M $40.2B +$1.12B $87.84 1,534
2022 Q4 442M $32.8B -$271M $74.19 1,517
2022 Q3 442M $37B +$469M $83.70 1,513
2022 Q2 436M $39.8B -$260M $91.23 1,557
2022 Q1 439M $55.7B +$576M $126.94 1,637
2021 Q4 434M $56.2B +$802M $129.39 1,615
2021 Q3 425M $49.4B -$599M $116.34 1,409
2021 Q2 431M $41.8B +$2.08B $97.14 1,298
2021 Q1 414M $30.8B -$41.9M $74.53 1,175
2020 Q4 413M $26.7B +$756M $64.81 1,120
2020 Q3 402M $21B +$288M $52.20 994
2020 Q2 395M $22.4B +$1.05B $56.66 986
2020 Q1 376M $17.1B +$268M $45.57 959
2019 Q4 369M $20.7B +$1.08B $55.94 963
2019 Q3 348M $17B +$13.7B $48.84 791
2019 Q2 69.2M $3.07B +$3.07B $44.42 125
2019 Q1 43.9K $2.65M +$175K $34.97 5
2018 Q4 22K $655K +$392K $29.81 3
2018 Q3 8.84K $336K -$15.8K $38.08 2
2018 Q2 9.25K $298K +$38.2K $32.17 2
2018 Q1 8.06K $258K +$33.8K $31.95 2
2017 Q4 7.01K $224K +$54K $32.02 2
2017 Q3 5.32K $177K +$30.7K $33.37 2
2017 Q2 4.4K $147K +$22.1K $33.35 2
2017 Q1 3.74K $111K +$14.4K $29.70 2
2016 Q4 3.25K $87.8K +$10.8K $27.03 2
2016 Q3 2.85K $72.8K $0 $25.53 2
2016 Q2 2.85K $69.9K +$13.5K $24.54 2
2016 Q1 2.3K $64.5K $0 $28.05 2